Our financial institution is one of the leading providers of Financial Services in Ireland.. It is an international Bank with a wide branch network. It specialises in both business and retail banking. They are looking to recruit an Investore protection advisor.
Coordinate and monitor compliance within all relevant regulations, legislation and standards.
assist in preparation of reports to the Board and Board Riak comittee.
Engage with CBI where relevant
Assess the impact of new legislation regulation and standards to include MIFID 11.
professional qualification ( accountancy / compliance/legal)
3 years experience in a legislation focussed compliance team ( Not AML/KYC)
Education - ACOI/accountancy/ solicitor